Andrew Mulliner, CFA

Portfolio Manager
Andrew Mulliner, CFA | Janus Henderson Investors

Andrew Mulliner is a Global Bonds Portfolio Manager at Janus Henderson Investors and co-manages the Global Multi-Sector Fixed Income, Global Total Return Bond and Global ex UK Government Bond strategies. Mr. Mulliner joined Henderson in 2007 as an investment assistant and later became an assistant portfolio manager. Prior to this, he worked at Old Mutual PLC as a junior financial analyst.

Mr. Mulliner has a BSc degree in psychology from the University of Nottingham. He holds the Chartered Financial Analyst designation and has 13 years of financial industry experience.

Articles Written

Investment Roundtable: Views on the Global Economic Outlook

Investment Roundtable: Views on the Global Economic Outlook

Our senior global bond portfolio managers respond to common investor questions on the global economic outlook.

ECB: Super Mario Bros. 2 (Kitchen Sink Edition)
Quick Views Interest Rates

ECB: Super Mario Bros. 2 (Kitchen Sink Edition)

Andrew Mulliner, CFA, a Global Bonds Portfolio Manager, reflects on the European Central Bank’s decision to cut rates and bring back quantitative easing.

Bailing Out the Titanic with a Teaspoon (or Why Hope Is a Strategy for the ECB)
Quick Views Interest Rates

Bailing Out the Titanic with a Teaspoon (or Why Hope Is a Strategy for the ECB)

The June 6 meeting of the European Central Bank (ECB) effectively marked the beginning of the end of its president, Mario Draghi’s, reign.